Risk Management

As a firm, one of Deutsche Bank’s key values and priorities is precise and vigilant risk management. Continuous monitoring and critical evaluation of our risks and exposures enables Deutsche Bank to maintain its sound financial integrity and to serve our clients and shareholders. Deutsche Bank’s careful approach to risk management helped us to navigate the financial crisis and to emerge stronger.

Risk management is also a driving principle of our Wealth Management group. Developing investment strategies that reflect appropriate levels of risk for our clients’ particular circumstances and objectives is central to our investment process. Careful risk management and an emphasis on wealth preservation are cornerstones of our client offering.

Monitoring risk - whether for the firm’s balance sheet, in a particular investment fund, or in relation to individual client portfolios - is an essential element of our business.